Liquidity Ratios  |  |  |  | 
Current Ratio  |  1.08 |  0.68 |  0.80 | 
Quick Ratio  |  0.83 |  0.37 |  0.48 | 
Cash Ratio  |  0.58 |  0.07 |  0.27 | 
Solvency Ratio  |  0.41 |  0.30 |  0.24 | 
Operating Cash Flow Ratio  |  1.31 |  1.19 |  1.00 | 
Short-Term Operating Cash Flow Coverage  |  23.08 |  7.35 |  6.38 | 
Net Current Asset Value  | C$ -338.66M | C$ -428.09M | C$ -447.13M | 
Leverage Ratios  |  |  |  | 
Debt-to-Assets Ratio  |  0.59 |  0.84 |  0.99 | 
Debt-to-Equity Ratio  |  2.77 |  87.92 |  -6.18 | 
Debt-to-Capital Ratio  |  0.73 |  0.99 |  1.19 | 
Long-Term Debt-to-Capital Ratio  |  0.00 |  0.97 |  1.52 | 
Financial Leverage Ratio  |  4.67 |  104.80 |  -6.21 | 
Debt Service Coverage Ratio  |  5.88 |  3.41 |  3.90 | 
Interest Coverage Ratio  |  6.72 |  3.99 |  6.15 | 
Debt to Market Cap  |  <0.01 |  0.08 |  0.11 | 
Interest Debt Per Share  |  4.05 |  4.37 |  4.53 | 
Net Debt to EBITDA  |  0.98 |  1.89 |  2.56 | 
Profitability Margins  |  |  |  | 
Gross Profit Margin  | 62.40% | 60.84% | 60.16% | 
EBIT Margin  | 22.50% | 19.36% | 14.79% | 
EBITDA Margin  | 30.69% | 28.02% | 24.37% | 
Operating Profit Margin  | 21.92% | 18.13% | 16.06% | 
Pretax Profit Margin  | 19.29% | 14.81% | 12.17% | 
Net Profit Margin  | 13.97% | 10.72% | 9.01% | 
Continuous Operations Profit Margin  | 13.97% | 10.72% | 9.01% | 
Net Income Per EBT  | 72.43% | 72.33% | 74.02% | 
EBT Per EBIT  | 87.99% | 81.72% | 75.82% | 
Return on Assets (ROA)  | 20.35% | 16.62% | 13.33% | 
Return on Equity (ROE)  | 121.21% | 1741.40% | -82.74% | 
Return on Capital Employed (ROCE)  | 43.76% | 36.87% | 32.42% | 
Return on Invested Capital (ROIC)  | 28.66% | 23.78% | 20.89% | 
Return on Tangible Assets  | 20.77% | 16.87% | 13.58% | 
Earnings Yield  | 4.70% | 4.02% | 2.94% | 
Efficiency Ratios  |  |  |  | 
Receivables Turnover  |  34.20 |  32.92 |  41.54 | 
Payables Turnover  |  30.72 |  15.61 |  11.56 | 
Inventory Turnover  |  8.12 |  8.12 |  6.94 | 
Fixed Asset Turnover  |  2.15 |  2.57 |  2.81 | 
Asset Turnover  |  1.46 |  1.55 |  1.48 | 
Working Capital Turnover Ratio  |  51.94 |  -24.67 |  0.00 | 
Cash Conversion Cycle  |  43.75 |  32.65 |  29.79 | 
Days of Sales Outstanding  |  10.67 |  11.09 |  8.79 | 
Days of Inventory Outstanding  |  44.96 |  44.95 |  52.58 | 
Days of Payables Outstanding  |  11.88 |  23.38 |  31.57 | 
Operating Cycle  |  55.63 |  56.04 |  61.36 | 
Cash Flow Ratios  |  |  |  | 
Operating Cash Flow Per Share  |  2.25 |  1.36 |  1.17 | 
Free Cash Flow Per Share  |  1.56 |  0.86 |  0.99 | 
CapEx Per Share  |  0.69 |  0.50 |  0.18 | 
Free Cash Flow to Operating Cash Flow  |  0.69 |  0.63 |  0.84 | 
Dividend Paid and CapEx Coverage Ratio  |  3.28 |  2.73 |  0.62 | 
Capital Expenditure Coverage Ratio  |  3.28 |  2.73 |  6.45 | 
Operating Cash Flow Coverage Ratio  |  0.60 |  0.34 |  0.27 | 
Operating Cash Flow to Sales Ratio  |  0.24 |  0.18 |  0.18 | 
Free Cash Flow Yield  | 5.70% | 4.33% | 4.99% | 
Valuation Ratios  |  |  |  | 
Price-to-Earnings (P/E) Ratio  |  21.30 |  24.88 |  33.98 | 
Price-to-Sales (P/S) Ratio  |  2.97 |  2.67 |  3.06 | 
Price-to-Book (P/B) Ratio  |  20.25 |  433.31 |  -28.11 | 
Price-to-Free Cash Flow (P/FCF) Ratio  |  17.56 |  23.12 |  20.06 | 
Price-to-Operating Cash Flow Ratio  |  12.20 |  14.65 |  16.95 | 
Price-to-Earnings Growth (PEG) Ratio  |  9.02 |  0.66 |  -0.80 | 
Price-to-Fair Value  |  20.25 |  433.31 |  -28.11 | 
Enterprise Value Multiple  |  10.67 |  11.41 |  15.12 | 
Enterprise Value  |  3.26B |  2.56B |  2.57B | 
EV to EBITDA  |  10.67 |  11.41 |  15.12 | 
EV to Sales  |  3.27 |  3.20 |  3.69 | 
EV to Free Cash Flow  |  19.33 |  27.72 |  24.15 | 
EV to Operating Cash Flow  |  13.43 |  17.57 |  20.41 | 
Tangible Book Value Per Share  |  1.23 |  -0.03 |  -0.79 | 
Shareholders’ Equity Per Share  |  1.36 |  0.05 |  -0.71 | 
Tax and Other Ratios  |  |  |  | 
Effective Tax Rate  |  0.28 |  0.28 |  0.26 | 
Revenue Per Share  |  9.22 |  7.44 |  6.48 | 
Net Income Per Share  |  1.29 |  0.80 |  0.58 | 
Tax Burden  |  0.72 |  0.72 |  0.74 | 
Interest Burden  |  0.86 |  0.77 |  0.82 | 
Research & Development to Revenue  |  0.00 |  0.00 |  0.00 | 
SG&A to Revenue  |  0.26 |  0.27 |  0.26 | 
Stock-Based Compensation to Revenue  |  <0.01 |  <0.01 |  <0.01 | 
Income Quality  |  1.75 |  1.70 |  2.00 |